Results released on 30/1/2013
Revenue = $470.6m
Operating Profit = $46.8m
PATMI = $47m
Underlying Profit From Ops = $57.2M
Underlying Net Margin = 10%
Debt-to-Equity = 0.11
EPS = 4.2 cents
NAV = $1.21
Cash & Cash Equiv = $271.7m
FCF (1HFY2012/2013) = $75m
Key costs are Staff Costs ($197m) and Raw Materials (104.7m)
Wednesday, January 30, 2013
Tuesday, January 29, 2013
StarHillG 4QFY2012
Gross Revenue = $47.4m
NPI = $37.5m
DPU Available For Distribution = $24.9m
DPU = 1.13 cents
Total Debt = $854m
Gearing = 30.3%
Interest Cover = 4.9
Avg Interest Rate = 3.16%
Unencumbered Asset Ratio = 41%
NAV (Ajusted) = 0.96cents
Total Assets =$2,820,188,000
Total Liabilities =$938,125,000
Net Assets = $1,882,063,000
Free Float = 61% (exclude YTL &AIA)
NPI = $37.5m
DPU Available For Distribution = $24.9m
DPU = 1.13 cents
Total Debt = $854m
Gearing = 30.3%
Interest Cover = 4.9
Avg Interest Rate = 3.16%
Unencumbered Asset Ratio = 41%
NAV (Ajusted) = 0.96cents
Total Assets =$2,820,188,000
Total Liabilities =$938,125,000
Net Assets = $1,882,063,000
Free Float = 61% (exclude YTL &AIA)
Monday, January 28, 2013
First Reit Q4FY2012
Results for Q4FY2012 released on 23/1/2013
NAV (as at 31th 2012) = 82.72 cents
DPU (Q4FY2011) = 1.72 cents
Annualized DPU = 6.58 cents
Total Assets = $828,827,000
Total Liability = $278,753,000
Total Borrowing = $212,842,000
Net Property Income = $15,291,,000
Distributable Income = $11,060,000
NAV (as at 31th 2012) = 82.72 cents
DPU (Q4FY2011) = 1.72 cents
Annualized DPU = 6.58 cents
Total Assets = $828,827,000
Total Liability = $278,753,000
Total Borrowing = $212,842,000
Net Property Income = $15,291,,000
Distributable Income = $11,060,000
Tuesday, January 22, 2013
Ascendas India Trust 3QFY2012/2013
Results for 3Q FY2012/2013 released on 22th Jan 2013
DPU = 1.21 cents
Total Property Income = $31.7m
NPI = $18.6m
Income Available For Dist = 1.34 cents
NAV = 0.61 cents
Interest Cover = 4.2
Gearing = 21%
Percentage Fixed Rate Debt = 100%
Average Cost Of Debt = 6.0%
Debt Headroom (40% Gearing) = $239m
Currently at S$1 to INR 44.1.
DPU = 1.21 cents
Total Property Income = $31.7m
NPI = $18.6m
Income Available For Dist = 1.34 cents
NAV = 0.61 cents
Interest Cover = 4.2
Gearing = 21%
Percentage Fixed Rate Debt = 100%
Average Cost Of Debt = 6.0%
Debt Headroom (40% Gearing) = $239m
Currently at S$1 to INR 44.1.
Suntec Reit Q4FY2012
Results of Q4FY2012 released on 22/01/20123
DPU (Q4FY2011) = 2.326cts (9.49cents for FY2012)
Net Property Income = $30,552,000
Income Available For Distribution = $52,394,000
Total Assets = $7,755,650,000
Total Debts = $2,204,316,000
Net Assets = $4,784,089,000
EPS = 11.626 cents (including gain on divestment of ChIJMES)
NAV = $2.069
Ajusted NAV = $2.044
Debt-to-Asset Ratio = 36.7%
Interest Cover = 4.1
Corporate Rating = "Baa2"
Average All-in Financing Cost = 2.83%
DPU (Q4FY2011) = 2.326cts (9.49cents for FY2012)
Net Property Income = $30,552,000
Income Available For Distribution = $52,394,000
Total Assets = $7,755,650,000
Total Debts = $2,204,316,000
Net Assets = $4,784,089,000
EPS = 11.626 cents (including gain on divestment of ChIJMES)
NAV = $2.069
Ajusted NAV = $2.044
Debt-to-Asset Ratio = 36.7%
Interest Cover = 4.1
Corporate Rating = "Baa2"
Average All-in Financing Cost = 2.83%
Monday, January 21, 2013
K-Green FY2012
Revenue $76,248K
Net Profits $14,777K
Net Assets $662,702K
Cash & Cash Equiv $42,795K
EPS 2.35 cents (FY2012 : 2.54 cents)
Adjusted NAV $1.01(as at 31th Dec 2012)
DPS 4.69 cents (2HFY2012)
Net Profits $14,777K
Net Assets $662,702K
Cash & Cash Equiv $42,795K
EPS 2.35 cents (FY2012 : 2.54 cents)
Adjusted NAV $1.01(as at 31th Dec 2012)
DPS 4.69 cents (2HFY2012)
Monday, January 14, 2013
SPH 1QFY3013
Operating Revenue $326,377K
Newspaper & Mag Revenue $263,518K
Property Revenue $48,192K
Others Revenue $10,382K
Net Profit After Tax $91,214K
Total Assets $4,177,633,000
Total Liabilities $2,014,992,000
Net Assets $2,162,641,000
CAsh Equiv at End Of Period $640,227,000
EPS 6 cents
NAV $1.29
Note: Adv revenue down $4.1m YoY, Circulation revenue down $1.3 YoY.Rental Revenue up $1.3 YoY.Other revenue fell $5.4m YoY due to shows held on different dates as compare to previous.
Newspaper & Mag Revenue $263,518K
Property Revenue $48,192K
Others Revenue $10,382K
Net Profit After Tax $91,214K
Total Assets $4,177,633,000
Total Liabilities $2,014,992,000
Net Assets $2,162,641,000
CAsh Equiv at End Of Period $640,227,000
EPS 6 cents
NAV $1.29
Note: Adv revenue down $4.1m YoY, Circulation revenue down $1.3 YoY.Rental Revenue up $1.3 YoY.Other revenue fell $5.4m YoY due to shows held on different dates as compare to previous.
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